Financial Controller managing financial operations for a fast-growth consumer brand. Strengthening controls, reporting, and cash visibility in a hybrid role based in Cheltenham.
Responsibilities
Strengthen month-end, reporting discipline and core financial controls
Improve management reporting across revenue, margin, opex, stock, cash and working capital
Increase visibility on cash flow, creditor timing and stock-related financial pressures
Help improve understanding of commercial and operational performance through better financial insight
Support stronger balance sheet discipline and financial housekeeping
Work closely with supply chain, operations and commercial teams to connect finance more clearly to business decisions
Help make the finance function more robust and scalable as the business grows
Requirements
Experience in finance control, reporting or finance manager roles
Strong grounding in month-end, controls and management reporting
Good understanding of cash, margin, stock and working capital in a growing business
Commercial awareness and ability to connect numbers to real decisions
Comfortable improving process and reporting quality in a fast-moving environment
Reliable, proactive and low ego
Benefits
Hybrid working model 3 days per week at the HQ in Cheltenham
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